EBSWare xTrader

Multi-Asset Trading Software for Your Brokerage

Bring your trading interface, account administration and broker operations together under your own brand.

EBSWare xTrader combines web and mobile trading with account management, broker administration and connections to external service providers. Build your offering around the instruments and workflows your clients need.

  • Web & mobile access
  • Your brokerage brand
  • Broker administration
  • Third-party connectivity
EBSWare xTrader trading interface displayed on desktop and mobile devices
EBSWare xTrader: desktop and mobile trading interfaces.
Platform capabilities

Trading access and the tools behind it

Give clients a place to trade and your team the tools to manage accounts, trading conditions and daily operations.

Web & Mobile Trading

Clients can view charts, place orders, monitor positions and check account balances through web and mobile interfaces. Mobile packaging and any separately branded app publication are covered by the selected delivery plan.

Branding & Configuration

Use your logo and colours, organise instruments and set trading conditions for your client groups. Bespoke interface changes are scoped separately from standard branding.

Accounts & Permissions

Create trading accounts, organise clients into groups and control staff access through role-based permissions. Account capacity and any additional IB or affiliate modules follow your deployment and licence scope.

Trading & Risk Settings

Set instrument specifications, spreads and trading conditions to manage how products are offered to different client groups. External order routing and additional risk controls depend on the selected modules and connections.

Back Office & Client Workflows

Manage client records, trading accounts and operational reports through the back office and CRM tools. Automated identity checks and payment workflows use supported third-party services.

Liquidity & Service Connections

Connect trading and client workflows to compatible liquidity, payment and identity verification providers. Providers outside the supported connector set require a technical assessment and may involve additional development.

Markets & instruments

Forex, CFDs and equities in one trading environment

Build a multi-asset offering around currency pairs, commodity and index CFDs, and equity instruments. Available markets depend on the selected configuration, data and execution providers, and the permissions applicable to your business.

Forex

Offer currency pairs with configurable spreads and trading conditions. Pricing and execution use compatible providers; the deployment scope specifies the supported margin FX or FX CFD arrangement.

Commodity & Index CFDs

Offer commodity and index CFDs, including metals, energy and indices available through connected providers. The instrument list, contract specifications and trading sessions follow the selected liquidity and data coverage.

Equities & Equity CFDs

Bring equity instruments into the same trading interface as FX and CFDs. Cash securities and equity CFD offerings use different arrangements; access to U.S., Hong Kong or other markets requires compatible execution and data connections.

Cash securities and CFDs require different arrangements. For cash securities, execution, clearing, custody and market data arrangements need to be defined separately. A trading interface or price feed alone does not establish access to a securities market.

Integration scope

Connect the services your operation needs

xTrader connects trading, payments and client workflows through supported provider interfaces. We map the connections for your project and identify any additional development before implementation.

Service connections and deployment requirements
ServicePurposeDeployment requirements
Liquidity & ExecutionPricing and order execution through compatible providers.Supported connector, instruments, account terms and routing requirements. Aggregation and failover are specified separately where required.
Market DataPrices and market information for the selected instruments.Coverage, usage permissions, display requirements, subscription fees and the distinction between data access and trade execution.
PaymentsDeposit and withdrawal workflows with supported payment providers.Provider approval, supported countries and methods, settlement arrangements, charges and reconciliation requirements.
KYC / AMLConnections to identity verification and screening services.Available checks, workflow mapping, review responsibilities and provider fees. Screening and ongoing monitoring depend on the chosen service.
CRM & ReportingConnect client workflows and operational information.Included modules, available interfaces, data fields, report formats and any additional development.
Deployment & support

From platform setup
to operational handover

EBS FinTech configures the platform, coordinates the agreed connections and supports acceptance testing and administrator handover. Your project scope separates software delivery, third-party services and ongoing support.

  1. Product Review

    We demonstrate the trading and administration workflows against your target markets and operating model.

  2. Scope & Configuration

    We configure the agreed branding, instruments and modules, and coordinate hosting and third-party dependencies.

  3. Integration & Acceptance

    We test the agreed account, trading and operational workflows with your team before production acceptance.

  4. Handover & Maintenance

    We hand over administrator access and the agreed operating guidance, with maintenance and support delivered under your service agreement.

Planning the wider project?

Put xTrader into your brokerage plan

For a wider non-MetaTrader project covering platform selection, infrastructure and implementation, explore Start Your Own Brokerage or Prop Firm. For MetaTrader licensing options, see our MT5 White Label and Main Label guide.

Product FAQs

Before you choose xTrader

Key questions about the software, its connections and the scope of your deployment.

What is EBSWare xTrader, and is it part of MetaTrader?

EBSWare xTrader combines client trading interfaces, account administration and broker tools in a separate platform. It is not an MT4 or MT5 licence. Its branding, modules and external connections are configured for your brokerage project.

Can the platform use our own brand?

Yes. xTrader supports your brokerage logo and colours across the interfaces included in your delivery plan. Bespoke customisation and separate app publication are specified in the proposal. Brand use does not by itself include source code or ownership of the underlying software.

Can we add accounts and connect multiple LPs as we grow?

Yes. xTrader supports multiple trading accounts, client groups and compatible LP connections. Licence allowances and technical capacity are separate: your agreement defines the commercial scope, while infrastructure is sized for account activity and trading workload. New LP connections require compatibility checks and testing, and may involve connector work and separate fees.

Does xTrader support real stocks or stock CFDs?

The intended product must be specified before deployment. Cash securities require appropriate execution, clearing, custody and data arrangements; equity CFDs use a different product and execution structure. We assess the relevant configuration and connections for the markets you request. Specific exchange access is confirmed as part of that assessment.

Can we use our existing LP, payment or KYC provider?

Share the provider details and interface documentation so we can assess compatibility. We distinguish an existing supported connection from work requiring a new integration. Provider approval, service agreements and applicable third-party charges remain part of the implementation requirements.

What mobile app options are available?

Mobile trading gives clients access to charts, order entry, positions and account balances. Your delivery plan identifies supported devices, the mobile format and branding scope. A separately published app, publication work and ongoing app maintenance are included only where specified.

Which modules and third-party services are included?

The quotation lists the core software, selected modules and implementation work. Hosting, data, liquidity connections, payment services, identity checks and custom development may have separate charges. Confirm both initial and recurring costs before signing.

How long does deployment take?

A timeline is agreed after the product scope and dependencies are reviewed. Branding, provider readiness, integration work and acceptance testing affect delivery. The software deployment date should be distinguished from any business approvals or operational preparations needed for launch.

What about hosting, maintenance and data export?

Agree the hosting arrangement, backups, support coverage and update responsibilities before deployment. If migration or data export is required, specify the records, formats, access rights and assistance needed in the project scope and agreement.

Contact EBS FinTech

See xTrader in action

Tell us about your brokerage project. We will help you explore the platform, available connections and delivery options.

Share your target markets, planned instruments and any providers you already work with. You can also use this form to request a product demonstration or discuss pricing.

For other enquiries, visit our contact page.

Discuss your project

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We will use the information you provide to respond to your enquiry.

EBS FinTech provides trading technology and implementation services. Software access does not confer regulatory permission to operate a brokerage. Customers are responsible for the permissions and operating arrangements applicable to their business. EBS FinTech does not hold client funds or provide securities custody.

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